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持有 精锻转债(123174)的基金
序号 基金代码 基金简称 债券市值(元) 占基金净值比例(%)
1110036易方达双债增强债券C36,891,904.230.28
2110035易方达双债增强债券A36,891,904.230.28
3240018华宝可转债A35,918,340.672.66
4008817华宝可转债C35,918,340.672.66
5360013光大保德信信用添益债券A34,229,453.220.73
6360014光大保德信信用添益债券C34,229,453.220.73
7001316安信稳健增值混合A29,278,460.720.26
8001338安信稳健增值混合C29,278,460.720.26
9511380博时可转债ETF25,889,120.300.10
10000171易方达裕丰回报债券17,411,702.230.09
11009101安信稳健增利混合C12,988,487.060.19
12009100安信稳健增利混合A12,988,487.060.19
13240003华宝宝康债券A12,288,980.350.70
14007964华宝宝康债券C12,288,980.350.70
15360009光大保德信增利收益债券C12,199,457.270.43
16360008光大保德信增利收益债券A12,199,457.270.43
17210014金鹰元丰债券12,172,772.501.48
18750002安信目标收益债券A11,723,005.070.27
19750003安信目标收益债券C11,723,005.070.27
20003133易方达裕鑫债券A9,283,716.180.93
21003134易方达裕鑫债券C9,283,716.180.93
22002794天弘永利债券E7,531,990.410.04
23420102天弘永利债券B7,531,990.410.04
24420002天弘永利债券A7,531,990.410.04
25009610天弘永利债券C7,531,990.410.04
26002969易方达丰和债券5,921,005.260.10
27010268太平睿安混合A5,917,992.472.04
28010269太平睿安混合C5,917,992.472.04
29217018招商安瑞进取债券5,841,596.562.24
30162105金鹰持久增利债券(LOF)C5,389,677.140.59
31004267金鹰持久增利债券(LOF)E5,389,677.140.59
32007669太平睿盈混合C4,921,617.731.55
33006973太平睿盈混合A4,921,617.731.55
34002490金鹰元祺信用债债券4,841,993.840.78
35008809安信民稳增长混合A4,667,682.060.22
36008810安信民稳增长混合C4,667,682.060.22
37000812富国收益增强债券C4,303,994.520.54
38000810富国收益增强债券A4,303,994.520.54
39001889中欧增强回报债券(LOF)E4,119,998.750.20
40007446中欧增强回报债券(LOF)C4,119,998.750.20
41166008中欧增强回报债券(LOF)A4,119,998.750.20
42161019富国新天锋债券(LOF)4,118,922.760.36
43166010中欧鼎利债券A4,010,354.490.70
44009519中欧鼎利债券E4,010,354.490.70
45009520中欧鼎利债券C4,010,354.490.70
46010165太平丰和一年定开债券发起式3,873,595.070.07
47007562景顺长城景泰纯利债券3,837,011.110.07
48320004诺安优化收益债券3,583,075.440.72
49004265金鹰民丰回报混合3,335,595.751.48
50007128天弘增强回报债券A3,227,995.890.07
51007129天弘增强回报债券C3,227,995.890.07
52009735天弘增强回报债券E3,227,995.890.07
53410005华富收益增强债券B3,227,135.090.24
54410004华富收益增强债券A3,227,135.090.24
55006013易方达鑫转招利混合A3,159,239.581.46
56006014易方达鑫转招利混合C3,159,239.581.46
57000182景顺长城四季金利债券C3,083,812.070.11
58000181景顺长城四季金利债券A3,083,812.070.11
59009205兴银丰运稳益回报混合A2,565,180.730.71
60009206兴银丰运稳益回报混合C2,565,180.730.71
61161908万家添利债券(LOF)2,450,048.880.74
62009291富国添享一年持有期债券C2,403,780.940.21
63009290富国添享一年持有期债券A2,403,780.940.21
64700005平安添利债券A2,246,039.540.04
65700006平安添利债券C2,246,039.540.04
66006899天弘弘丰增强回报债券C2,151,997.260.22
67006898天弘弘丰增强回报债券A2,151,997.260.22
68003360前海开源瑞和债券A2,151,997.260.08
69003361前海开源瑞和债券C2,151,997.260.08
70002280华富安享债券2,151,997.260.62
71000219博时裕益混合2,116,381.711.85
72001752华商信用增强债券C1,751,725.770.04
73001751华商信用增强债券A1,751,725.770.04
74000189易方达丰华债券A1,742,579.780.06
75006867易方达丰华债券C1,742,579.780.06
76519050海富通安颐收益混合A1,635,517.921.39
77002339海富通安颐收益混合C1,635,517.921.39
78009849安信稳健聚申一年持有混合1,194,358.480.25
79009156海富通富泽混合A1,122,266.571.36
80009157海富通富泽混合C1,122,266.571.36
81163819中银信用增利债券(LOF)1,067,390.640.17
82001448华商双翼平衡混合1,013,590.712.09
83001182易方达安心回馈混合980,234.750.05
84003628兴银收益增强债券936,118.810.86
85003484金鹰鑫益混合A860,798.900.25
86003485金鹰鑫益混合C860,798.900.25
87007233金鹰鑫益混合E860,798.900.25
88007075富国产业债C780,099.010.01
89100058富国产业债A780,099.010.01
90003637安信永鑫增强债券A673,682.740.02
91003638安信永鑫增强债券C673,682.740.02
92009901易方达磐固六个月持有混合C659,587.160.08
93009900易方达磐固六个月持有混合A659,587.160.08
94009247易方达磐恒九个月持有混合A615,256.020.09
95009248易方达磐恒九个月持有混合C615,256.020.09
96003985嘉实新能源新材料股票C486,243.780.02
97003984嘉实新能源新材料股票A486,243.780.02
98261101景顺长城稳定收益债券C463,755.410.44
99261001景顺长城稳定收益债券A463,755.410.44
100001710安信新趋势混合A454,071.420.02
101001711安信新趋势混合C454,071.420.02
102009902易方达悦享一年持有混合A407,803.480.09
103009903易方达悦享一年持有混合C407,803.480.09
104163007长信利众债券(LOF)A397,043.490.01
105163005长信利众债券(LOF)C397,043.490.01
106003510长盛可转债债券A355,079.550.32
107003511长盛可转债债券C355,079.550.32
108010212景顺长城顺鑫回报混合C349,699.550.32
109010211景顺长城顺鑫回报混合A349,699.550.32
110007713华富科技动能混合322,799.590.30
111007735金鹰民安回报定开混合C303,431.610.02
112006972金鹰民安回报定开混合A303,431.610.02
113010266兴全安泰稳健养老一年持有混合(FOF)302,355.620.03
114519676银河强化债券282,987.640.10
115003459嘉实稳宏债券C248,340.480.02
116003458嘉实稳宏债券A248,340.480.02
117007502前海开源裕和混合C215,199.730.32
118004218前海开源裕和混合A215,199.730.32
119519030海富通稳固收益债券139,879.820.01
120004734中欧瑾灵灵活配置混合A117,283.850.21
121004735中欧瑾灵灵活配置混合C117,283.850.21
122002793景顺长城顺益回报混合C108,675.860.22
123002792景顺长城顺益回报混合A108,675.860.22
124002739泓德裕康债券C107,599.860.03
125002738泓德裕康债券A107,599.860.03
126002455民生加银鑫喜混合107,599.860.02
127004402金信民旺债券C107,599.861.08
128004222金信民旺债券A107,599.861.08
129020002国泰金龙债券A107,599.860.15
130020012国泰金龙债券C107,599.860.15
131750005安信平稳增长混合发起A95,763.880.04
132002035安信平稳增长混合发起C95,763.880.04
133000310安信永利信用债券A77,471.900.11
134000335安信永利信用债券C77,471.900.11
135005166嘉实润和量化定期混合64,559.920.14
136006254长城久悦债券54,875.930.49
137007326国投瑞银新增长混合C10,759.990.02
138001499国投瑞银新增长混合A10,759.990.02
139519660银河增利债券A8,607.990.09
140519661银河增利债券C8,607.990.09
141519669银河领先债券1,076.000.00
142110028易方达安心回报债券B322.800.00
143110027易方达安心回报债券A322.800.00